Modeling of financial infection (by the example of the 2008 year's world crisis)

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The article is devoted to modeling the scheme of "financial contamination" of national economies by the example of the world crisis of 2008. The urgency of studying the sources and mechanisms of crisis phenomena and searching for a new architecture of the world financial system is grounded. A scheme of financial contamination using the author's indicator of changes in the world financial situation is suggested.

Global financial conditions, financial crisis, financial infection, summary indicator, correlation analysis

Короткий адрес: https://sciup.org/14876250

IDR: 14876250

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